Wiley finance series

Titles

monte carlo simulation and finance
operational risk management
private equity 4.0
bonds without borders
central counterparties
islamic capital markets
impact investment
investment strategies of hedge funds /
trading systems and methods
alts democratized
hedge fund compliance and risk manag...
inside volatility filtering
goals-based wealth management
financial risk forecasting
operational risk management :
hedge fund modelling and analysis us...
upside of aging :
modeling risk
mezzanine financing
an introduction to the bond markets
art of vulture investing
accounting for derivatives
m&a information technology best prac...
valuation
operational risk management
understanding systemic risk in globa...
mastering illiquidity
derivatives essentials :
heston model and its extensions in m...
fundamentals of islamic money and ca...
macrofinancial risk analysis
standards of value
islamic finance
global pension crisis
foreign exchange option pricing
hedging market exposures
project financing
investment theory and risk management
structured finance modeling with obj...
interest rate risk in the banking book :
postmodern investment
liquidity risk management guide
financial risk management
handbook of hedge funds
financial risk forecasting :
handbook of credit risk management
modern islamic banking :
portable financial analyst
mastering corporate finance essentials :
behavioral finance and investor types
fundamentals of hedge fund management :
financial modeling with crystal ball...
equity value enhancement :
investment project design :
behavioural investing :
financial simulation modeling in excel
modern portfolio management :
etf handbook :
mastering corporate finance essentials
mergers and acquisitions basics :
mathematics of financial models
alternative alternatives :
evaluating hedge fund and cta perfor...
understanding bitcoin
corporate governance regulation :
analytics for insurance :
capital markets :
fx option performance
venture capital valuation
executive roadmap to fraud preventio...
corporate governance and risk
infrastructure as an asset class :
credit risk modeling using excel and vba
market momentum :
governance reimagined
xva
foreign exchange
mechanics of securitization
risk premium factor
financial stability
erm, enterprise risk management
art of value investing
derivatives analytics with python
behavioral finance and wealth management
securitization
socially savvy advisor
understanding oil prices
extreme events :
property finance
treasury finance and development banking
market microstructure
manufacturing and managing customer-...
handbook of multi-commodity markets ...
asian financial statement analysis
introduction to private equity
volatility smile :
best-practice eva
handbook of news analytics in finance
markets for managers
deep value
frontiers of modern asset allocation /
banker's guide to new small business...
swaps and other derivatives /
measuring and managing liquidity risk
next generation excel
pricing and hedging financial deriva...
business risk and simulation modelli...
financial risk management
investor's guide to loss recovery
early stage valuation
family enterprise
takaful investment portfolios
hedge fund modelling and analysis :
dynamic copula methods in finance
bayesian risk management
workout in computational finance
handbook of hybrid securities
handbook of convertible bonds
investing in islamic funds
private companies
fund of funds investing :
middle market m & a
trade lifecycle
how to be an investment banker
handbook of infrastructure investing /
building financial models with micro...
succession planning for financial ad...
frontiers of modern asset allocation
islamic capital markets
funds
private equity
financial valuation :
operational risk modelling in financ...
liquidity management
private equity operational due diligence
options pricing models and volatilit...
behavioral finance
financial markets operations management
economics of commodity markets /
fintech innovation
introduction to private equity
managing energy risk
private debt :
merger arbitrage
compliance revolution
valuing pass-through entities
emerging markets in an upside down world
trading economics
financial risk management
volatility smile :
monetary system
islamic banking and finance workbook
problems and solutions in mathematic...
derivatives :
foreign exchange operations
family office book
macrofinancial risk analysis /
strategic fixed income investing
project financing :
synthetic and structured assets
someday rich
upstream petroleum fiscal and valuat...
islamic finance handbook
understanding systemic risk in globa...
credit securitizations and derivatives
buyouts
equity hybrid derivatives
fundamentals of hedge fund management
financial valuation workbook :
hedge fund investing :
regulating competition in stock markets
xva challenge
asset liability management optimization
 
 
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